中信证券

- 600030

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中信证券(600030) 资产负债表
公告期2008-06-302008-03-312007-12-312007-09-302007-06-30
资产
流动资产
货币资金108,629,321,617155,041,225,113122,588,920,647154,618,241,624107,457,754,197
贵金属00000
存放中央银行存款00000
存放同业款项00000
存放联行款项00000
拆放同业00000
拆放金融性公司00000
短期贷款00000
抵押贷款00000
应收进出口押汇00000
应收帐款00000
应收账款净额00000
其他应收款00000
其他应收款净额00000
坏帐准备00000
应收款项净额00000
预付帐款00000
贴现00000
短期投资00000
短期投资跌价准备00000
短期投资净额4,317,806,3484,322,362,6452,772,081,9153,523,954,0032,855,870,158
应收利息14,621,5119,351,5157,817,20192,1481,894,869
委托贷款及委托投资00000
自营证券00000
自营证券跌价准备00000
代理证券00000
买入返售证券00000
存货00000
存货跌价准备00000
存货净额00000
待摊费用00000
待处理流动资产净损失00000
一年内到期的长期债权投资00000
其它流动资产00000
流动资产合计00000
中长期贷款00000
逾期贷款00000
贷款呆帐准备金00000
应收租赁款00000
应收转租赁款00000
租赁资产00000
待转租赁资产00000
其他长期资产00000
长期资产合计00000
长期投资
长期股权投资1,243,221,7291,061,840,163638,840,163631,772,101569,997,496
长期债权投资00000
其他长期投资00000
长期投资合计00000
长期投资减值准备00000
长期投资净额21,583,401,11814,371,681,02613,544,610,99811,246,642,9006,658,041,401
固定资产
固定资产原价00000
累计折旧00000
固定资产净值00000
固定资产减值准备00000
固定资产净额1,343,103,4921,390,402,2661,394,089,2041,211,825,3791,010,378,160
固定资产清理00000
在建工程00000
在建工程减值准备00000
在建工程净额00000
固定资产合计1,343,103,4921,390,402,2661,394,089,2041,211,825,3791,010,378,160
无形资产及其他资产
无形资产00000
递延资产00000
交易席位费00000
开办费00000
长期待摊费用00000
无形资产及其他资产合计120,381,708127,973,919135,222,125122,728,730125,956,505
资产总计233,343,988,620219,246,300,930189,653,881,678211,997,186,050164,743,994,735
负债及股东权益
流动负债
短期存款00000
短期储蓄存款00000
财政性存款00000
向中央银行借款00000
同业存放款项00000
联行存放款项00000
同业拆入00000
金融性公司拆入00000
应解汇款00000
汇出汇款00000
委托存款00000
应付代理证券款00000
卖出回购证券款00000
应付帐款00000
预收帐款00000
其他应付款00000
应付工资4,552,280,5074,067,196,7604,847,942,2372,981,451,1941,807,213,597
应付福利费00000
应付股利00000
应交税金1,899,562,1374,388,942,7234,256,657,0032,451,566,8601,672,029,388
其他应交款00000
预提费用00000
发行短期债券00000
一年内到期的长期负债00000
其他流动负债00000
流动负债合计1,560,35429,641,69429,641,69428,949,77928,000,000
长期负债
长期存款00000
长期储蓄存款00000
保证金00000
应付转租赁租金00000
发行长期债券00000
长期借款00000
应付债券1,950,000,0001,950,000,0001,950,000,0001,980,025,0001,959,700,000
长期应付款00000
住房周转金00000
其他长期负债00000
长期负债合计-11,748,428-848,047,849-1,697,268,241-167,444,847-50,226,790
负债合计179,406,946,132164,484,254,626135,630,456,189162,240,133,376145,361,165,046
少数股东权益1,961,874,6422,580,702,3172,423,993,6202,537,453,1252,467,259,884
股东权益
股本6,630,467,6003,315,233,8003,315,233,8003,315,233,8002,981,500,000
资本公积金27,240,804,73131,237,496,31433,177,202,76032,789,382,0006,975,767,120
盈余公积金1,836,920,4371,836,920,4371,836,920,437770,528,773770,528,773
公益金00000
未分配利润13,347,313,43112,834,437,60010,399,886,2899,664,713,3745,603,233,299
股东权益合计51,975,167,84652,181,343,98751,599,431,86947,219,599,54916,915,569,804
负债及股东权益总计233,343,988,620219,246,300,930189,653,881,678211,997,186,050164,743,994,735
中信证券(600030) 资产负债表
公告期2007-03-312006-12-312006-09-302006-06-302006-03-31
资产
流动资产
货币资金69,213,309,86936,686,756,477109,827,73727,663,015,01711,873,381,097
贵金属00000
存放中央银行存款00000
存放同业款项00000
存放联行款项00000
拆放同业00000
拆放金融性公司00000
短期贷款00000
抵押贷款00000
应收进出口押汇00000
应收帐款00000
应收账款净额00000
其他应收款00000
其他应收款净额00000
坏帐准备000178,386,6060
应收款项净额04,214,720,4974,510,350,2243,837,499,3852,720,333,375
预付帐款00000
贴现00000
短期投资00029,467,1640
短期投资跌价准备00029,467,1640
短期投资净额2,111,017,7430000
应收利息1,285,4092,292,8705,387,1635,796,6586,389,240
委托贷款及委托投资00000
自营证券03,700,424,1816,509,366,4263,403,268,5513,728,358,946
自营证券跌价准备017,242,187000
代理证券00000
买入返售证券04,189,125,0272,204,079,0002,026,656,4590
存货00000
存货跌价准备00000
存货净额00000
待摊费用09,419,6709,880,6488,933,70510,391,167
待处理流动资产净损失00000
一年内到期的长期债权投资00000
其它流动资产0022,566,03600
流动资产合计060,457,021,61446,623,070,44345,623,508,41219,648,179,850
中长期贷款00000
逾期贷款00000
贷款呆帐准备金00000
应收租赁款00000
应收转租赁款00000
租赁资产00000
待转租赁资产00000
其他长期资产0596,774603,154611,4750
长期资产合计00000
长期投资
长期股权投资1,329,564,1931,437,257,2181,212,115,1861,149,976,6861,169,833,742
长期债权投资0665,298,885950,680,913755,375,540669,808,615
其他长期投资00000
长期投资合计02,146,403,39101,987,530,3600
长期投资减值准备043,818,895082,149,7410
长期投资净额7,448,448,8612,102,584,4962,162,824,4921,905,380,6191,839,670,750
固定资产
固定资产原价01,063,951,9281,145,508,6931,185,758,0281,025,325,931
累计折旧0445,210,290578,242,455602,897,132473,966,462
固定资产净值0618,741,638567,266,238582,860,896551,359,470
固定资产减值准备00000
固定资产净额713,869,143618,741,638567,266,238582,860,896551,359,470
固定资产清理0013,27923011,660
在建工程0246,545,560000
在建工程减值准备00000
在建工程净额0246,545,560253,46900
固定资产合计713,869,143865,287,198567,532,987582,861,127551,371,130
无形资产及其他资产
无形资产0296,445,5040323,567,2740
递延资产00000
交易席位费094,637,33492,629,94489,295,47175,213,886
开办费00000
长期待摊费用040,468,01938,436,59846,767,74945,725,329
无形资产及其他资产合计121,731,661155,530,853305,165,146314,622,123302,975,123
资产总计104,495,848,58963,632,538,17549,670,631,21648,438,410,42922,354,235,001
负债及股东权益
流动负债
短期存款00000
短期储蓄存款00000
财政性存款00000
向中央银行借款00000
同业存放款项00000
联行存放款项00000
同业拆入00000
金融性公司拆入00000
应解汇款00000
汇出汇款00000
委托存款00000
应付代理证券款00000
卖出回购证券款02,300,438,9860590,162,600730,899,423
应付帐款01,769,108,430000
预收帐款00000
其他应付款00000
应付工资1,237,157,146613,601,117313,781,553216,137,698117,302,471
应付福利费019,524,34924,163,27027,689,17430,451,800
应付股利0832,39992,193,225434,709,3112,825,775
应交税金777,678,158697,706,211151,852,739195,996,83567,083,984
其他应交款00000
预提费用04,149,52628,501,30033,515,74623,398,077
发行短期债券00000
一年内到期的长期负债0200,934,0000205,884,0000
其他流动负债00203,082,00000
流动负债合计29,030,00047,951,182,61435,448,222,04834,564,921,05714,955,693,767
长期负债
长期存款00000
长期储蓄存款00000
保证金00000
应付转租赁租金00000
发行长期债券00000
长期借款197,986,0000000
应付债券2,003,125,0002,000,350,0001,980,295,0001,959,970,000450,270,000
长期应付款028,030,54228,030,54228,910,54228,910,542
住房周转金00000
其他长期负债01,768,5610157,01553,151
长期负债合计-29,030,0002,030,149,1032,008,325,5421,989,037,557479,233,693
负债合计88,809,518,50149,981,331,71737,456,547,59036,553,958,61415,434,927,460
少数股东权益1,535,898,9611,341,257,0281,330,469,8041,313,259,2401,179,765,133
股东权益
股本2,981,500,0002,981,500,0002,981,500,0002,981,500,0002,481,500,000
资本公积金6,567,482,2906,154,961,9236,155,070,0156,155,727,5272,016,108,907
盈余公积金770,528,773770,528,773527,873,120527,873,120527,873,120
公益金0000205,316,052
未分配利润3,265,707,3421,846,640,744903,618,322588,897,132396,461,119
股东权益合计14,150,431,12712,309,949,43110,883,613,82210,571,192,5755,739,542,408
负债及股东权益总计104,495,848,58963,632,538,17549,670,631,21648,438,410,42922,354,235,001
中信证券(600030) 资产负债表
公告期2005-12-312005-09-302005-06-302005-03-312004-12-31
资产
流动资产
货币资金10,785,366,5396,359,754,2986,250,114,2396,181,556,0356,299,348,802
贵金属00000
存放中央银行存款00000
存放同业款项00000
存放联行款项00000
拆放同业00000
拆放金融性公司00000
短期贷款00000
抵押贷款00000
应收进出口押汇00000
应收帐款0000119,856,538
应收账款净额00000
其他应收款0038,096,426035,502,828
其他应收款净额00000
坏帐准备105,400,7920118,162,8510119,856,538
应收款项净额2,807,914,500116,632,96935,479,545197,988,60833,176,685
预付帐款00000
贴现00000
短期投资48,415,460000177,955,521
短期投资跌价准备48,415,460000177,955,521
短期投资净额00000
应收利息5,257,3435,254,75922,234,37714,435,01514,441,382
委托贷款及委托投资00000
自营证券2,459,929,3082,975,091,1683,148,831,5582,550,269,5123,154,699,854
自营证券跌价准备00112,375,14900
代理证券00000
买入返售证券00300,001,87580,001,000145,001,813
存货00000
存货跌价准备00000
存货净额00000
待摊费用4,045,8736,053,5997,157,2794,759,1062,870,619
待处理流动资产净损失00000
一年内到期的长期债权投资00000
其它流动资产00000
流动资产合计17,624,067,2849,936,119,66310,444,311,3619,715,780,48310,588,069,068
中长期贷款00000
逾期贷款00000
贷款呆帐准备金00000
应收租赁款00000
应收转租赁款00000
租赁资产00000
待转租赁资产00000
其他长期资产00000
长期资产合计00000
长期投资
长期股权投资1,189,291,1272,357,024,498569,171,277355,400,447381,892,195
长期债权投资710,393,704502,039,9071,314,607,5591,149,552,7001,752,372,000
其他长期投资00000
长期投资合计1,915,915,42601,916,527,31002,178,320,271
长期投资减值准备16,202,202032,748,474044,056,077
长期投资净额1,899,713,2242,859,064,4051,883,778,8361,504,953,1482,134,264,195
固定资产
固定资产原价911,427,174821,705,039830,181,250827,934,480822,546,959
累计折旧447,046,224466,126,565451,989,845436,272,734417,697,590
固定资产净值464,380,950355,578,474378,191,405391,661,745404,849,368
固定资产减值准备00000
固定资产净额464,380,950355,578,474378,191,405391,661,745404,849,368
固定资产清理13,060002,9900
在建工程00000
在建工程减值准备00000
在建工程净额00000
固定资产合计464,394,010355,578,474378,191,405391,664,735404,849,368
无形资产及其他资产
无形资产331,857,606031,424,627031,850,591
递延资产00000
交易席位费80,827,13712,159,88813,120,47614,113,22014,863,297
开办费00000
长期待摊费用49,048,33427,884,46529,071,95332,150,83035,709,822
无形资产及其他资产合计316,113,23171,255,99973,617,05777,901,65982,423,710
资产总计20,316,325,89813,225,745,08712,783,625,20411,694,026,57013,213,332,886
负债及股东权益
流动负债
短期存款00000
短期储蓄存款00000
财政性存款00000
向中央银行借款00000
同业存放款项00000
联行存放款项00000
同业拆入00000
金融性公司拆入00000
应解汇款00000
汇出汇款00000
委托存款00000
应付代理证券款00000
卖出回购证券款570,598,808342,000,000401,938,600138,600138,600
应付帐款000229,538,6440
预收帐款00000
其他应付款00000
应付工资96,694,86344,638,45611,435,65829,538,83427,922,529
应付福利费41,546,81128,919,10830,786,22133,535,23638,548,099
应付股利2,825,7750126,900,7752,825,7752,825,775
应交税金77,782,8825,369,15211,519,75216,021,70028,445,757
其他应交款00000
预提费用1,885,4983,399,440719,7401,102,3610
发行短期债券00000
一年内到期的长期负债0898,620,000000
其他流动负债8590000
流动负债合计12,978,460,3367,155,397,6096,790,163,5735,639,385,0117,153,101,886
长期负债
长期存款00000
长期储蓄存款00000
保证金00000
应付转租赁租金00000
发行长期债券00000
长期借款00000
应付债券463,162,500458,775,000454,387,500450,000,000463,452,329
长期应付款32,097,13036,720,50037,190,50037,474,50037,724,500
住房周转金00000
其他长期负债25,6810000
长期负债合计495,285,311495,495,500491,578,000487,474,500501,176,829
负债合计13,473,745,6477,650,893,1097,281,741,5736,126,859,5117,654,278,715
少数股东权益1,196,302,055188,028,663185,814,737184,973,202185,130,957
股东权益
股本2,481,500,0002,481,500,0002,481,500,0002,481,500,0002,481,500,000
资本公积金2,016,108,9072,015,821,3752,015,821,3752,015,821,3752,015,821,375
盈余公积金527,873,120467,866,884467,866,884467,866,884467,866,884
公益金205,316,052185,313,973185,313,973185,313,973185,313,973
未分配利润302,191,413142,603,53268,380,913134,505,876126,235,233
股东权益合计5,646,278,1965,386,823,3155,316,068,8945,382,193,8575,373,923,214
负债及股东权益总计20,316,325,89813,225,745,08712,783,625,20411,694,026,57013,213,332,886
中信证券(600030) 资产负债表
公告期2004-09-302004-06-302004-03-312003-12-312003-09-30
资产
流动资产
货币资金7,617,506,8518,233,055,8429,462,429,1167,287,605,9196,118,349,114
贵金属00000
存放中央银行存款00000
存放同业款项00000
存放联行款项00000
拆放同业00000
拆放金融性公司00000
短期贷款00000
抵押贷款00000
应收进出口押汇00000
应收帐款0007,791,1910
应收账款净额0000180,048,715
其他应收款00000
其他应收款净额00000
坏帐准备0132,048,84507,791,1910
应收款项净额60,526,25796,774,29234,709,14932,401,458180,048,715
预付帐款00000
贴现00000
短期投资0182,489,436025,397,7100
短期投资跌价准备0182,489,436025,397,7100
短期投资净额00000
应收利息2,936,8573,035,2003,145,1192,618,58018,739,101
委托贷款及委托投资00000
自营证券2,814,828,4203,623,459,6892,509,505,1712,304,653,8193,027,528,342
自营证券跌价准备0182,489,436000
代理证券00000
买入返售证券110,001,375120,001,625116,750,000900,011,800796,104,376
存货00000
存货跌价准备00000
存货净额00000
待摊费用9,641,26612,978,98410,130,7203,910,6239,973,974
待处理流动资产净损失00000
一年内到期的长期债权投资00000
其它流动资产00000
流动资产合计11,766,007,56512,514,453,02113,060,890,18210,978,519,99010,674,563,517
中长期贷款00000
逾期贷款00000
贷款呆帐准备金00000
应收租赁款00000
应收转租赁款00000
租赁资产00000
待转租赁资产00000
其他长期资产00000
长期资产合计00000
长期投资
长期股权投资410,327,548517,008,694603,148,178403,498,178310,888,200
长期债权投资651,746,993201,746,9931,846,9931,846,9931,775,755
其他长期投资00000
长期投资合计0722,359,1070408,948,5910
长期投资减值准备03,603,41903,603,4190
长期投资净额1,062,074,541718,755,688604,995,172405,345,172312,663,955
固定资产
固定资产原价717,196,669735,774,623552,971,198551,293,803594,782,534
累计折旧342,913,369347,088,743270,292,125255,127,938286,481,144
固定资产净值374,283,299388,685,880282,679,073296,165,865308,301,390
固定资产减值准备00000
固定资产净额374,283,299388,685,880282,679,073296,165,865308,301,390
固定资产清理-492,812-443,0810-299,700-316,326
在建工程00000
在建工程减值准备00000
在建工程净额00003,183,608
固定资产合计373,790,487388,242,798282,679,073295,866,165311,168,671
无形资产及其他资产
无形资产012,491,13708,620,0770
递延资产00000
交易席位费14,449,75015,566,60315,031,31916,031,86917,096,142
开办费00000
长期待摊费用84,257,38592,696,07488,269,76697,179,939102,336,940
无形资产及其他资产合计130,938,480120,753,814111,602,468121,831,885128,371,854
资产总计13,336,862,28413,746,047,06114,067,532,61211,810,449,51011,432,003,564
负债及股东权益
流动负债
短期存款00000
短期储蓄存款00000
财政性存款00000
向中央银行借款00000
同业存放款项00000
联行存放款项00000
同业拆入00000
金融性公司拆入00000
应解汇款00000
汇出汇款00000
委托存款00000
应付代理证券款00000
卖出回购证券款140,6000121,160,09700
应付帐款0353,820,5120217,306,764211,746,206
预收帐款00000
其他应付款00000
应付工资32,596,37241,456,62949,232,76559,393,15141,204,641
应付福利费42,056,57344,509,87346,621,03749,491,54954,413,841
应付股利10,749,63210,652,81421,69921,699265,026
应交税金-1,563,04823,730,03159,507,04671,912,5328,117,099
其他应交款00000
预提费用3,010,5782,095,7171,646,85023,508,79417,350,638
发行短期债券00000
一年内到期的长期负债00000
其他流动负债00200,000,00000
流动负债合计7,343,226,4217,762,585,5918,119,809,8206,329,242,7966,158,804,040
长期负债
长期存款00000
长期储蓄存款00000
保证金00000
应付转租赁租金00000
发行长期债券00000
长期借款00000